Job Description

Preparing, recording and controlling daily financial and accounting documents.
• Preparing and reviewing financial statements (balance sheet, profit and loss statement, cash flow).
• Participating in budget formulation and following up on its implementation.
• Analyzing the company's financial performance and providing management reports.
• Examining costs and proposing solutions to reduce and optimize them.
• Ensuring compliance of financial activities with tax, insurance and accounting laws.Collaborate with internal and external auditors.
• Collect and analyze financial data to support management decision-making.
• Participate in financial meetings and provide clear and documented reports.
• Follow up on banking, credit, and facilities matters as needed.Bachelor's or Master's degree in accounting, financial management, economics or related fields.
• 5 years of relevant work experience
• Complete mastery of financial and accounting software (Sapidar, System Partners, etc.).
• High proficiency in Excel (formulas, Pivot Table, data analysis).
• Ability to prepare and analyze financial reports.Familiarity with tax, insurance and business laws.
• High accuracy, responsibility and teamwork ability.
• Soft skills: analytical, time management, effective communication and clear reportin

Employment Type

  • Full Time

Details

Employment type

  • Full Time

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